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Morningstar® Stock Report™
Cotización @CompanyName @Ticker | Morningstar
Regions Financial Corp
RF
Cotización
Gráficos
Cuentas Financieras
Principales Ratios
Prospectos
Cuenta de Resultados
Balance
Cash Flow
Dividendos
(Start of Section)
Historical Dividends
Fecha declarada
Ex Date
Payment Date
Tipo de activo
Divisa
Monto
17/04/2024
03/06/2024
01/07/2024
Cash Dividend
USD
0.24
14/02/2024
29/02/2024
01/04/2024
Cash Dividend
USD
0.24
18/10/2023
07/12/2023
02/01/2024
Cash Dividend
USD
0.24
19/07/2023
31/08/2023
02/10/2023
Cash Dividend
USD
0.24
19/04/2023
01/06/2023
03/07/2023
Cash Dividend
USD
0.20
15/02/2023
09/03/2023
03/04/2023
Cash Dividend
USD
0.20
20/10/2022
07/12/2022
03/01/2023
Cash Dividend
USD
0.20
20/07/2022
01/09/2022
03/10/2022
Cash Dividend
USD
0.20
20/04/2022
02/06/2022
01/07/2022
Cash Dividend
USD
0.17
09/02/2022
10/03/2022
01/04/2022
Cash Dividend
USD
0.17
20/10/2021
02/12/2021
03/01/2022
Cash Dividend
USD
0.17
21/07/2021
02/09/2021
01/10/2021
Cash Dividend
USD
0.17
21/04/2021
03/06/2021
01/07/2021
Cash Dividend
USD
0.16
03/02/2021
04/03/2021
01/04/2021
Cash Dividend
USD
0.16
15/10/2020
03/12/2020
04/01/2021
Cash Dividend
USD
0.16
22/07/2020
03/09/2020
01/10/2020
Cash Dividend
USD
0.16
22/04/2020
04/06/2020
01/07/2020
Cash Dividend
USD
0.16
06/02/2020
05/03/2020
01/04/2020
Cash Dividend
USD
0.16
16/10/2019
05/12/2019
02/01/2020
Cash Dividend
USD
0.16
24/07/2019
05/09/2019
01/10/2019
Cash Dividend
USD
0.16
24/04/2019
06/06/2019
01/07/2019
Cash Dividend
USD
0.14
11/02/2019
07/03/2019
01/04/2019
Cash Dividend
USD
0.14
18/10/2018
06/12/2018
02/01/2019
Cash Dividend
USD
0.14
25/07/2018
06/09/2018
01/10/2018
Cash Dividend
USD
0.14
26/04/2018
07/06/2018
02/07/2018
Cash Dividend
USD
0.09
09/02/2018
08/03/2018
02/04/2018
Cash Dividend
USD
0.09
19/10/2017
07/12/2017
02/01/2018
Cash Dividend
USD
0.09
27/07/2017
07/09/2017
29/09/2017
Cash Dividend
USD
0.09
20/04/2017
07/06/2017
30/06/2017
Cash Dividend
USD
0.07
09/02/2017
08/03/2017
31/03/2017
Cash Dividend
USD
0.07
13/10/2016
07/12/2016
03/01/2017
Cash Dividend
USD
0.07
14/07/2016
07/09/2016
03/10/2016
Cash Dividend
USD
0.07
21/04/2016
08/06/2016
01/07/2016
Cash Dividend
USD
0.07
11/02/2016
09/03/2016
01/04/2016
Cash Dividend
USD
0.06
14/10/2015
09/12/2015
04/01/2016
Cash Dividend
USD
0.06
16/07/2015
09/09/2015
01/10/2015
Cash Dividend
USD
0.06
23/04/2015
10/06/2015
01/07/2015
Cash Dividend
USD
0.06
12/02/2015
11/03/2015
01/04/2015
Cash Dividend
USD
0.05
16/10/2014
10/12/2014
02/01/2015
Cash Dividend
USD
0.05
17/07/2014
10/09/2014
01/10/2014
Cash Dividend
USD
0.05
24/04/2014
11/06/2014
01/07/2014
Cash Dividend
USD
0.05
15/01/2014
12/03/2014
01/04/2014
Cash Dividend
USD
0.03
16/10/2013
11/12/2013
02/01/2014
Cash Dividend
USD
0.03
18/07/2013
11/09/2013
01/10/2013
Cash Dividend
USD
0.03
24/04/2013
12/06/2013
01/07/2013
Cash Dividend
USD
0.03
17/01/2013
13/03/2013
01/04/2013
Cash Dividend
USD
0.01
18/10/2012
12/12/2012
02/01/2013
Cash Dividend
USD
0.01
20/07/2012
12/09/2012
01/10/2012
Cash Dividend
USD
0.01
26/04/2012
13/06/2012
02/07/2012
Cash Dividend
USD
0.01
20/01/2012
14/03/2012
02/04/2012
Cash Dividend
USD
0.01
21/10/2011
14/12/2011
03/01/2012
Cash Dividend
USD
0.01
22/07/2011
14/09/2011
03/10/2011
Cash Dividend
USD
0.01
29/04/2011
15/06/2011
01/07/2011
Cash Dividend
USD
0.01
21/01/2011
16/03/2011
01/04/2011
Cash Dividend
USD
0.01
22/10/2010
15/12/2010
03/01/2011
Cash Dividend
USD
0.01
23/07/2010
15/09/2010
01/10/2010
Cash Dividend
USD
0.01
29/04/2010
15/06/2010
01/07/2010
Cash Dividend
USD
0.01
22/01/2010
16/03/2010
01/04/2010
Cash Dividend
USD
0.01
16/10/2009
14/12/2009
04/01/2010
Cash Dividend
USD
0.01
17/07/2009
15/09/2009
01/10/2009
Cash Dividend
USD
0.01
16/04/2009
15/06/2009
01/07/2009
Cash Dividend
USD
0.01
16/01/2009
16/03/2009
01/04/2009
Cash Dividend
USD
0.10
17/10/2008
15/12/2008
02/01/2009
Cash Dividend
USD
0.10
23/07/2008
15/09/2008
01/10/2008
Cash Dividend
USD
0.10
17/04/2008
13/06/2008
01/07/2008
Cash Dividend
USD
0.38
17/01/2008
14/03/2008
01/04/2008
Cash Dividend
USD
0.38
17/10/2007
17/12/2007
02/01/2008
Cash Dividend
USD
0.38
19/07/2007
13/09/2007
01/10/2007
Cash Dividend
USD
0.36
19/04/2007
14/06/2007
02/07/2007
Cash Dividend
USD
0.36
18/01/2007
15/03/2007
02/04/2007
Cash Dividend
USD
0.36
11/12/2006
19/12/2006
02/01/2007
Cash Dividend
USD
0.36
19/10/2006
30/10/2006
15/11/2006
Cash Dividend
USD
0.35
20/07/2006
28/07/2006
15/08/2006
Cash Dividend
USD
0.35
20/04/2006
27/04/2006
15/05/2006
Cash Dividend
USD
0.35
20/01/2006
30/01/2006
15/02/2006
Cash Dividend
USD
0.35
20/10/2005
28/10/2005
15/11/2005
Cash Dividend
USD
0.34
21/07/2005
28/07/2005
15/08/2005
Cash Dividend
USD
0.34
22/04/2005
28/04/2005
16/05/2005
Cash Dividend
USD
0.34
21/01/2005
28/01/2005
15/02/2005
Cash Dividend
USD
0.34
21/10/2004
28/10/2004
15/11/2004
Cash Dividend
USD
0.33
16/07/2004
29/07/2004
16/08/2004
Cash Dividend
USD
0.33
(End of Section)
(Start of Section)
Stock Splits
Ex Date
Split From
Split To
Adjustment Factor
01/07/2004
1.0000
1.2346
1.23
16/06/1997
1.0000
2.0000
2.00
01/03/1993
-
-
1.10
02/06/1986
1.0000
2.0000
2.00
04/06/1984
1.0000
2.0000
2.00
(End of Section)